Profit Investment Management, LLC Q2 2023 vs. Q3 2023 13F Holdings Comparison
Ava Hoppe | 20 October, 2023
In the world of investment management, staying ahead of the curve is crucial. Profit Investment Management, LLC has recently released its Q2 2023 vs. Q3 2023 13F Holdings Comparison, revealing the changes in their fund's holdings. These changes provide valuable insights into the investment strategies employed by this esteemed firm.
One notable change in Profit Investment Management's holdings is in Reliance Steel & Aluminum Co (RS). During both Q2 and Q3 2023, the company held 25,434 shares of RS, with a value of $6,907,000 in Q2 and $6,669,000 in Q3. This marks a slight decrease of 3.4% in value.
Fair Isaac Corp (FICO) is another entity that has caught the attention of Profit Investment Management. They maintained their position with 6,866 shares in both Q2 and Q3 2023. However, there was a significant increase in value, from $5,556,000 to $5,963,000, representing a growth of 7.3%.
Profit Investment Management also made notable changes in their holdings of G III Apparel Group Ltd (GIII). The firm held 216,673 shares in both quarters, but the value experienced a significant rise from $4,175,000 in Q2 to $5,399,000 in Q3, indicating a remarkable growth of 29.3%.
FirstCash Holdings Inc (FCFS) is another company that witnessed an increase in holdings by Profit Investment Management. The firm held 43,498 shares in Q2 and boosted this figure to 50,117 shares in Q3, reflecting a surge of 23.9% in value.
On the other hand, Wesco Intl Inc (WCC) experienced a significant decrease in holdings by Profit Investment Management. The firm held 38,497 shares in Q2, which dropped to 31,608 shares in Q3, marking a notable decline of 34.1% in value.
Profit Investment Management's Q2 vs. Q3 13F Holdings Comparison shows their focus on diverse sectors. American Eqty Invt Life HLD (AEL) remained unchanged with 83,572 shares in both quarters, but the value experienced slight growth from $4,354,000 to $4,482,000, reflecting a modest increase of 2.9%.
Patterson Cos Inc (PDCO) experienced a decrease in holdings by Profit Investment Management. The firm held 144,655 shares in Q2 and reduced this number to 144,655 shares in Q3, representing a decline of 10.9% in value.
These are just a few examples of the changes in holdings by Profit Investment Management, as revealed in their Q2 vs. Q3 13F Holdings Comparison. This report showcases their strategic decisions and provides valuable insights for investors looking to stay informed in the ever-evolving world of finance.
As Profit Investment Management continues to navigate the complexities of the market, their transparent and well-informed approach sets them apart as a leading figure in investment management. Their 13F Holdings Comparison serves as a strong testament to their commitment to delivering reliable results and maximizing returns for their clients.
In conclusion, it is evident that Profit Investment Management's Q2 vs. Q3 13F Holdings Comparison demonstrates their ability to adapt and make strategic decisions in a dynamic market. Investors can rest assured that Profit Investment Management remains focused on optimizing their strategies and delivering exceptional results.
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